OPEK : Financial reports

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ADPCaption2015-12
uncons. a.
2014-12
uncons. a.
 CASH FLOW FROM OPERATING ACTIVITIES   
11. Profit before tax   
22. Depreciation and amortisation   
33. Increase in short-term liabilities   
44. Decrease in short-term receivables   
55. Decrease in inventories   
66. Other cash flow increases   
7I. Total increase of cash flow from operating activities (001 till 006)   
81. Decrease in short-term liabilities   
92. Increase in short-term receivables   
103. Increase in inventories   
114. Other cash flow decreases   
12II. Total decrease of cash flow from operating activities (008 till 011)   
13A1) NET INCREASE OF CASH FLOW FROM OPERATING ACTIVITIES (007-012) 00
14A2) NET DECREASE OF CASH FLOW FROM OPERATING ACTIVITIES (012-007) 70435
 CASH FLOW FROM INVESTMENT ACTIVITIES   
151. Cash inflows from sale of long-term tangible and intangible assets -1,944
162. Cash inflows from sale of equity and debt instruments --
173. Interest receipts --
184. Dividends receipts 0-
195. Other cash inflows from investment activities --
20III. Total cash inflows from investment activities (015 till 019) 01,944
211. Cash outflows for purchase of long-term tangible and intangible assets --
222. Cash outflows for purchase of equity and debt financial instruments --
233. Other cash outflows from investment activities --
24IV. Total cash outflows from investment activities (021 till 023) 00
25B1) NET INCREASE OF CASH FLOW FROM INVESTMENT ACTIVITIES (020-024) 01,944
26B2) NET DECREASE OF CASH FLOW FROM INVESTMENT ACTIVITIES (024-020) 00
 CASH FLOW FROM FINANCIAL ACTIVITIES   
271. Cash receipts from issuance from equity and debt financial instruments 1,225369
282. Cash inflows from loans, debentures, credits and other borrowings --
293. Other cash inflows from financial activities --
30V. Total cash inflows from financial activities (027 till 029) 1,225369
311. Cash outflows for repayment of loans and bonds -1,809
322. Dividends paid --
333. Cash outflows for finance lease --
344. Cash outflows for purchase of own stocks --
355. Other cash outflows from financial activities 1,206-
36VI. Total cash outflows from financial activities (031 till 035) 1,2061,809
37C1) NET INCREASE OF CASH FLOW FROM FINANCIAL ACTIVITIES (030-036) 190
38C2) NET DECREASE OF CASH FLOW FROM FINANCIAL ACTIVITIES (036-030) 01,440
39Total increase of cash flow (013 – 014 + 025 – 026 + 037 – 038) 070
40Total decrease of cash flow (014 – 013 + 026 – 025 + 038 – 037) 500
41Cash and cash equivalents at the beginning of the period 711
42Increase of cash and cash equivalents -70
43Decrease of cash and cash equivalents 50-
44Cash and cash equivalents at the end of the period   

The data in the financial report are in thousands of euros.
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